METRO INC. - STOCK (MTRAF) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q3 2025

Type / Class
Equity / STOCK
Symbol
MTRAF
Price per share
$69.76
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
77,900
Total reported value
$5,233,000
Share change
-710
Value change
-$54,228
Number of holders
1
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 1 institutional investors reported holding 77,900 shares of METRO INC. - STOCK (MTRAF).

Institutional Holders of METRO INC. - STOCK (MTRAF) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q3 77,900 $5,233,000 -$54,228 $67.18 1
2025 Q2 78,610 $6,161,228 -$447,733 $77.39 2
2025 Q1 84,340 $5,864,161 -$667,484 $69.54 2
2024 Q4 92,500 $5,798,000 -$1,800,478 $62.68 1
2024 Q3 112,200 $7,651,152 +$1,980,928 $74.39 2
2024 Q2 89,600 $4,963,000 -$121,859 $55.39 1
2024 Q1 91,800 $4,933,000 -$816,793 $53.74 1
2023 Q4 107,000 $5,566,000 -$213,277 $52.02 1
2023 Q3 111,100 $5,797,000 $0 $52.18 1
2023 Q2 111,100 $6,282,000 +$6,282,005 $56.54 1
2022 Q1 0 $0 -$9,796,007 $69.76 0
2021 Q4 183,800 $9,796,000 -$152,000 $53.30 1
2021 Q3 186,920 $124,960,000 +$1,250,581 $363.88 2
2021 Q2 184,539 $7,486,000 +$7,269,443 $44.06 2
2021 Q1 4,544 $207,000 -$42,971 $45.55 1
2020 Q4 5,508 $245,000 -$1,091,213 $43.72 2
2020 Q3 28,375 $1,357,000 -$7,003,111 $47.82 3
2020 Q2 174,826 $7,188,000 -$22,084,861 $41.12 3
2020 Q1 711,953 $28,469,000 +$4,467,238 $40.00 3
2019 Q4 600,251 $24,805,000 -$1,728,110 $41.17 3
2019 Q3 642,056 $28,286,000 -$1,656,042 $44.05 2
2019 Q2 679,646 $25,557,000 -$613,225 $37.47 2
2019 Q1 695,953 $25,629,000 +$90,558 $36.72 2
2018 Q4 693,494 $24,037,000 +$6,843,176 $34.68 2
2018 Q3 496,059 $15,420,000 +$2,120,139 $31.10 2
2018 Q2 427,784 $14,537,000 -$68,882 $34.00 2
2018 Q1 429,812 $13,700,000 -$2,679,252 $31.86 2
2017 Q4 512,985 $16,469,000 +$10,202,001 $32.11 3
2017 Q3 195,413 $6,485,000 $0 $33.41 2
2017 Q2 195,413 $6,429,000 $0 $32.90 2
2017 Q1 195,413 $5,994,000 +$36,798 $30.67 2
2016 Q4 119,300 $3,564,000 -$84,320,843 $29.87 1
2016 Q3 2,763,475 $90,567,000 +$84,093,892 $32.78 4
2016 Q2 197,415 $6,869,000 $0 $34.68 3
2016 Q1 122,752 $4,257,000 -$2,078,114 $34.72 2
2015 Q4 257,061 $7,187,000 +$1,350,533 $27.98 3
2015 Q3 208,643 $5,669,000 -$2,672,106 $27.14 3
2015 Q2 233,950 $6,276,000 -$1,814,408 $26.85 4
2015 Q1 375,408 $10,168,000 +$5,728,365 $27.08 3
2014 Q4 163,896 $13,499,000 -$43,476,876 $80.55 3
2014 Q3 787,491 $52,767,000 +$51,466,490 $67.02 3
2014 Q2 48,076 $3,219,000 -$42,915,564 $66.15 2
2014 Q1 776,686 $45,844,000 -$4,631,817 $58.80 3